基金详情 (013463)

历史净值

日期单位净值日增长率累计净值
2025-04-031.3083-0.74%1.3083
2025-04-021.3180-0.10%1.3180
2025-04-011.3193+0.81%1.3193
2025-03-311.3087-0.63%1.3087
2025-03-281.3170-0.31%1.3170
2025-03-271.3211+0.55%1.3211
2025-03-261.3139+0.34%1.3139
2025-03-251.3095-0.35%1.3095
2025-03-241.3141-0.20%1.3141
2025-03-211.3167-0.93%1.3167
2025-03-201.3290-0.67%1.3290
2025-03-191.3379-0.36%1.3379

自选基金

投资策略

持仓金额

¥ 0.00